The aim of the fund is to generate annual absolute returns of 10-12% with low volatility of 5-7% and low correlation to emerging market equities through investing in focused yet diversified portfolio of carefully selected equity and fixed income emerging markets fund managers.

The fund is tilted towards talented managers with fundamental approach to investments and is backed up with in-depth fund manager research and state of the art risk management system. The fund is suitable for conservative clients with 3 - 5 years of investment horizon.